33-8561, 34-51444, 35-27952, 39-2435, IA-2373, IC-26825
March 31, 2005
S7-02-05
Regulatory Flexibility Agenda
33-8561, 34-51444, 35-27952, 39-2435, IA-2373, IC-26825
March 31, 2005
S7-02-05
Regulatory Flexibility Agenda
33-8561, 34-51444, 35-27952, 39-2435, IA-2373, IC-26825
March 31, 2005
S7-02-05
Regulatory Flexibility Agenda
33-8561, 34-51444, 35-27952, 39-2435, IA-2373, IC-26825
March 31, 2005
S7-02-05
Regulatory Flexibility Agenda
33-8561, 34-51444, 35-27952, 39-2435, IA-2373, IC-26825
March 31, 2005
S7-02-05
Regulatory Flexibility Agenda
33-8561, 34-51444, 35-27952, 39-2435, IA-2373, IC-26825
March 31, 2005
S7-02-05
Regulatory Flexibility Agenda
IC-26824
March 29, 2005
Morgan Stanley Investment Advisors Inc. (Order Pursuant to Section 9(c) of the Investment Company Act of 1940 Granting a Permanent Exemption from Section 9(a) of the Act)
33-8560, 34-51417
March 23, 2005
265-23
Advisory Committee on Smaller Public Companies
Comments Due: Comments should be received on or before April 8, 2005
View Received Comments
Federal Register version (70 FR 15669)
33-8560, 34-51417
March 23, 2005
265-23
Advisory Committee on Smaller Public Companies
Comments Due: Comments should be received on or before April 8, 2005
View Received Comments
Federal Register version (70 FR 15669)
34-51421
March 23, 2005
Goldman, Sachs, & Co. (Order Regarding Alternative Net Capital Computation for Goldman, Sachs, & Co., Which Has Elected To Be Supervised on a Consolidated Basis)
33-8558
March 23, 2005
Citigroup Global Markets, Inc. (Order Under Section 27A(B) of the Securities Act of 1933 and Section 21E(B) of the Securities Exchange Act Of 1934 Granting Waivers of the Disqualification Provisions of Section 27A(B)(1)(A)(II) of the Securities Act and Section 21E(B)(1)(A)(II) of the Exchange Act)
33-8559
March 23, 2005
Citigroup Global Markets, Inc. (Order Under Rule 602(E) of the Securities Act of 1933 Granting a Waiver of the Disqualification Provision of Rule 602(C)(3))
34-51341
March 9, 2005
Certain Disgorgement and Fair Funds in Administrative Proceedings (Order Directing Appointment of Tax Administrator)
33-8550
March 3, 2005
PCAOB (Order Approving Public Company Accounting Oversight Board Revised Budget and Annual Accounting Support Fee for Calendar Year 2005)
33-8549
March 3, 2005
FASB (Order Regarding Review of FASB Accounting Support Fee for Calendar Year 2005 Under the Sarbanes-Oxley Act of 2002)
34-51277
Feb. 28, 2005
Order Making Fiscal 2005 Mid-Year Adjustment to the Fee Rates Applicable Under Sections 31(b) and (c) of the Securities Exchange Act of 1934
Federal Register version (70 FR 10695)
33-8542
Feb. 25, 2005
Goldman, Sachs & Co. (Order Under Rule 602(e) of the Securities Act of 1933 Granting a Waiver of the Disqualification Provision of Rules 602(b)(4) and 602(c)(2))
33-8543
Feb. 25, 2005
Goldman, Sachs & Co. (Order Under Section 27A(b) of the Securities Act of 1933, and Section 21E(b) of the Securities Exchange Act of 1934, Granting Waivers of the Disqualification Provisions of Section 27A(b)(1)(A)(ii) of the Securities Act and Section 21E(b)(1)(A)(ii) of the Exchange Act)
34-51124
Feb. 10, 2005
SR-ODD-2004-03
Canadian Derivatives Clearing Corporation; Order Approving Accelerated Distribution of an Amended Options Disclosure Document
Federal Register version (70 FR 6740)
33-8535, 34-51165
Feb. 9, 2005
Columbia Management Advisors, Inc. and Columbia Funds Distributor, Inc. (Order Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934, Granting Waivers of the Disqualification Provisions of Section 27A(b)(1)(A)(ii) of the Securities Act of 1933 and Section 21E(b)(1)(A)(ii) of the Securities Exchange Act of 1934)
33-8536
Feb. 9, 2005
Columbia Management Advisors, Inc. and Columbia Funds Distributor, Inc. (Order Under Rule 602(e) Under the Securities Act of 1933, Granting a Waiver of the Disqualification Provisions of Rule 602(c)(3)
33-8535, 34-51165
Feb. 9, 2005
Columbia Management Advisors, Inc. and Columbia Funds Distributor, Inc. (Order Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934, Granting Waivers of the Disqualification Provisions of Section 27A(b)(1)(A)(ii) of the Securities Act of 1933 and Section 21E(b)(1)(A)(ii) of the Securities Exchange Act of 1934)
33-8539, 34-51168, IA-2356, IC-26757
Feb. 9, 2005
Banc of America Capital Management, LLC, BACAP Distributors, LLC, and Banc of America Securities, LLC (Order Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934, Granting Waivers of the Disqualification Provisions of Section 27A(b)(1)(A)(ii) of the Securities Act of 1933 and Section 21E(b)(1)(A)(ii) of the Securities Exchange Act of 1934)
33-8540, 34-51169, IA-2357, IC-26758
Feb. 9, 2005
Banc of America Capital Management, LLC, BACAP Distributors, LLC, and Banc of America Securities, LLC (Order Under Rule 602(e) Under the Securities Act of 1933, Granting a Waiver of the Disqualification Provision of Rule 602(c)(3))
33-8539, 34-51168, IA-2356, IC-26757
Feb. 9, 2005
Banc of America Capital Management, LLC, BACAP Distributors, LLC, and Banc of America Securities, LLC (Order Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934, Granting Waivers of the Disqualification Provisions of Section 27A(b)(1)(A)(ii) of the Securities Act of 1933 and Section 21E(b)(1)(A)(ii) of the Securities Exchange Act of 1934)
33-8540, 34-51169, IA-2357, IC-26758
Feb. 9, 2005
Banc of America Capital Management, LLC, BACAP Distributors, LLC, and Banc of America Securities, LLC (Order Under Rule 602(e) Under the Securities Act of 1933, Granting a Waiver of the Disqualification Provision of Rule 602(c)(3))
33-8539, 34-51168, IA-2356, IC-26757
Feb. 9, 2005
Banc of America Capital Management, LLC, BACAP Distributors, LLC, and Banc of America Securities, LLC (Order Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934, Granting Waivers of the Disqualification Provisions of Section 27A(b)(1)(A)(ii) of the Securities Act of 1933 and Section 21E(b)(1)(A)(ii) of the Securities Exchange Act of 1934)
33-8540, 34-51169, IA-2357, IC-26758
Feb. 9, 2005
Banc of America Capital Management, LLC, BACAP Distributors, LLC, and Banc of America Securities, LLC (Order Under Rule 602(e) Under the Securities Act of 1933, Granting a Waiver of the Disqualification Provision of Rule 602(c)(3))
33-8539, 34-51168, IA-2356, IC-26757
Feb. 9, 2005
Banc of America Capital Management, LLC, BACAP Distributors, LLC, and Banc of America Securities, LLC (Order Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934, Granting Waivers of the Disqualification Provisions of Section 27A(b)(1)(A)(ii) of the Securities Act of 1933 and Section 21E(b)(1)(A)(ii) of the Securities Exchange Act of 1934)
33-8540, 34-51169, IA-2357, IC-26758
Feb. 9, 2005
Banc of America Capital Management, LLC, BACAP Distributors, LLC, and Banc of America Securities, LLC (Order Under Rule 602(e) Under the Securities Act of 1933, Granting a Waiver of the Disqualification Provision of Rule 602(c)(3))
33-8531
Feb. 7, 2005
Morgan Stanley & Co. Incorporated (Order Under Section 27A(B) of the Securities Act of 1933, And Section 21E(B) of the Securities Exchange Act of 1934, Granting Waivers of the Disqualification Provisions of Section 27A(B)(1)(A)(ii) Of The Securities Act and Section 21E(B)(1)(A)(ii) Of The Exchange Act)
33-8532
Feb. 7, 2005
Morgan Stanley & Co. Incorporated (Order Under Rule 602(e) of the Securities Act of 1933 Granting a Waiver of the Disqualification Provision of Rules 602(b)(4) and 602(c)(2))
34-51115
Feb. 1, 2005
Richard Kern and Charles Wilkins (Order Denying Motion for Summary Affirmance, Setting Aside Default, and Remanding for Further Proceedings)
34-50925
Dec. 23, 2004
Merrill Lynch, Pierce, Fenner & Smith Incorporated (Order Regarding Alternative Net Capital Computation for Merrill Lynch, Pierce, Fenner & Smith Incorporated, Whish Has Elected To Be Supervised on a Consolidated Basis)
33-8514
Dec. 16, 2004
265-23
Advisory Committee on Smaller Public Companies
Federal Register version (69 FR 76498)
34-50795
Dec. 3, 2004
Order Pursuant to Section 11A of the Securities Exchange Act of 1934 and Rule 11Aa3-2(f) Thereunder Extending a de minimis Exemption for Transactions in Certain Exchange-Traded Funds from the Trade-Through Provisions of the Intermarket Trading System
Federal Register version (69 FR 71445)
34-50747
Nov. 30, 2004
Order Delaying Pilot Period for Suspension of the Operation of Short Sale Price Provisions
34-50649
Nov. 9, 2004
Daniel V. Covello (Order Approving Application for Relief from a Statutory Disqualification)
33-8502
Nov. 5, 2004
Maximum Dynamics, Inc. (Order Denying Withdrawal of Registration Statement Under the Securities Act of 1933)
34-50489
Oct. 5, 2004
Raymond L. Grenier, Jr. (Order Approving Application for Relief from a Statutory Disqualification)
33-8494
Sept. 24, 2004
Thomas Weisel Partners LLC (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8495
Sept. 24, 2004
Thomas Weisel Partners LLC (Order Granting Waiver Under Section 27A(b) of the Securities Act of 1933, and Section 21E(b) of the Securities Exchange Act of 1934)
33-8491, 34-50445, 35-27893, 39-2427, IA-2306, IC-26621
Sept. 24, 2004
S7-34-04
Regulatory Flexibility Agenda
Comments Due: Comments should be received on or before December 30, 2004
33-8491, 34-50445, 35-27893, 39-2427, IA-2306, IC-26621
Sept. 24, 2004
S7-34-04
Regulatory Flexibility Agenda
Comments Due: Comments should be received on or before December 30, 2004
33-8491, 34-50445, 35-27893, 39-2427, IA-2306, IC-26621
Sept. 24, 2004
S7-34-04
Regulatory Flexibility Agenda
Comments Due: Comments should be received on or before December 30, 2004
33-8491, 34-50445, 35-27893, 39-2427, IA-2306, IC-26621
Sept. 24, 2004
S7-34-04
Regulatory Flexibility Agenda
Comments Due: Comments should be received on or before December 30, 2004
33-8491, 34-50445, 35-27893, 39-2427, IA-2306, IC-26621
Sept. 24, 2004
S7-34-04
Regulatory Flexibility Agenda
Comments Due: Comments should be received on or before December 30, 2004
33-8491, 34-50445, 35-27893, 39-2427, IA-2306, IC-26621
Sept. 24, 2004
S7-34-04
Regulatory Flexibility Agenda
Comments Due: Comments should be received on or before December 30, 2004
33-8492
Sept. 24, 2004
Deutsche Bank Securities Inc (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8493
Sept. 24, 2004
Deutsche Bank Securities Inc (Order Granting Waiver Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934)
33-8488, 34-50371
Sept. 14, 2004
Dean Foods Company (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934)
33-8488, 34-50371
Sept. 14, 2004
Dean Foods Company (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934)
33-8478
Aug. 26, 2004
Donaldson, Lufkin & Jenrette Securities Corp., predecessor in interest to Credit Suisse First Boston LLC (Order Granting Waiver Under Rule 602(e) the Securities Act of 1933)
33-8473
Aug. 25, 2004
SG Cowen & Co., LLC, F/K/A SG Cowen Securities Corporation (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8470, 34-50249
Aug. 25, 2004
Prudential Equity Group, LLC f/k/a Prudential Securities, Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933, and Section 21E(b) of the Securities Exchange Act)
33-8471
Aug. 25, 2004
Prudential Equity Group, LLC f/k/a Prudential Securities, Inc. (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8470, 34-50249
Aug. 25, 2004
Prudential Equity Group, LLC f/k/a Prudential Securities, Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933, and Section 21E(b) of the Securities Exchange Act)
33-8467
Aug. 25, 2004
Morgan Keegan & Co., Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933, and Section 21E(b) of the Securities Exchange Act of 1934)
33-8468
Aug. 25, 2004
Morgan Keegan & Co., Inc. (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8476
Aug. 25, 2004
Janney Montgomery Scott LLC (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8464, 34-50245
Aug. 25, 2004
Friedman, Billings, Ramsey & Co., Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933, And Section 21E(b) of the Securities Exchange Act of 1934)
33-8465
Aug. 25, 2004
Friedman, Billings, Ramsey & Co., Inc. (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8464, 34-50245
Aug. 25, 2004
Friedman, Billings, Ramsey & Co., Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933, And Section 21E(b) of the Securities Exchange Act of 1934)
33-8462
Aug. 25, 2004
Adams Harkness, Inc. f/k/a/ Adams, Harness & Hill, Inc. (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8463, 34-50244
Aug. 25, 2004
Adams Harkness, Inc. f/k/a Adams, Harkness & Hill, Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act Of 1933, and Section 21E(b) of the Securities Exchange Act Of 1934)
33-8463, 34-50244
Aug. 25, 2004
Adams Harkness, Inc. f/k/a Adams, Harkness & Hill, Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act Of 1933, and Section 21E(b) of the Securities Exchange Act Of 1934)
34-50206
Aug. 17, 2004
Berkshire Hathaway Inc. (Order Denying Requests for Confidential Treatment)
33-8453
Aug. 3, 2004
Fidelity Brokerage Services, LLC (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
See Also -
34-50138
34-50104
July 28, 2004
Short Sale Price Provisions (Order Suspending Operation for Designated Securities and Time Periods)
See Also -
Additional Pilot Order
33-8451, 34-50094, 35-27877, 39-2422, IA-2268, IC-26521
July 27, 2004
S7-31-04
List of Rules To Be Reviewed Pursuant to the Regulatory Flexibility Act
Comments Due: Comments should be received on or before September 1, 2004
Federal Register version (69 FR 46117)
33-8451, 34-50094, 35-27877, 39-2422, IA-2268, IC-26521
July 27, 2004
S7-31-04
List of Rules To Be Reviewed Pursuant to the Regulatory Flexibility Act
Comments Due: Comments should be received on or before September 1, 2004
Federal Register version (69 FR 46117)
33-8451, 34-50094, 35-27877, 39-2422, IA-2268, IC-26521
July 27, 2004
S7-31-04
List of Rules To Be Reviewed Pursuant to the Regulatory Flexibility Act
Comments Due: Comments should be received on or before September 1, 2004
Federal Register version (69 FR 46117)
33-8451, 34-50094, 35-27877, 39-2422, IA-2268, IC-26521
July 27, 2004
S7-31-04
List of Rules To Be Reviewed Pursuant to the Regulatory Flexibility Act
Comments Due: Comments should be received on or before September 1, 2004
Federal Register version (69 FR 46117)
33-8451, 34-50094, 35-27877, 39-2422, IA-2268, IC-26521
July 27, 2004
S7-31-04
List of Rules To Be Reviewed Pursuant to the Regulatory Flexibility Act
Comments Due: Comments should be received on or before September 1, 2004
Federal Register version (69 FR 46117)
33-8451, 34-50094, 35-27877, 39-2422, IA-2268, IC-26521
July 27, 2004
S7-31-04
List of Rules To Be Reviewed Pursuant to the Regulatory Flexibility Act
Comments Due: Comments should be received on or before September 1, 2004
Federal Register version (69 FR 46117)
34-50039
July 20, 2004
Putnam Investment Management, LLC
34-50020
July 14, 2004
Extension of Order Regarding Broker-Dealer Financial Statement Requirements Under Section 17 of the Exchange Act
See Also -
34-54920 , 34-52909 , 34-48281
Federal Register version (69 FR 43482)
34-49859
June 15, 2004
Order Temporarily Exempting Standardized Options and Security Futures From Rule 12d2-2 Under the Securities Exchange Act of 1934
Federal Register version (69 FR 34409)
34-49846
June 10, 2004
List of Foreign Issuers That Have Submitted Information Under the Exemption Relating to Certain Foreign Securities
Federal Register version (69 FR 33948)
SIPA-165
May 26, 2004
Swift Trade Securities USA Inc. (Order Affirming SIPC Determination)
33-8421
May 14, 2004
S7-23-04
Regulatory Flexibility Agenda
Comments Due: Comments should be submitted on or before June 30, 2004
33-8418
April 30, 2004
Order Making Fiscal Year 2005 Annual Adjustments to the Fee Rates Applicable Under Section 6(b) of the Securities Act of 1933 and Sections 13(e), 14(g), 31(b) and 31(c) of the Securities Exchange Act of 1934
See Also -
Appendix A , Appendix B
Federal Register version (69 FR 25632)
34-49511
March 31, 2004
S7-10-04
Regulation NMS
See Also -
Spotlight on Regulation NMS
Federal Register version (69 FR 18145)
34-49408
March 12, 2004
S7-10-04
Regulation NMS
See Also -
Spotlight on Regulation NMS
Federal Register version (69 FR 12876)
35-27811
March 9, 2004
Stephen Forbes Cooper, LLC PGE Trust; and Enron Corporation (Order Granting Withdrawal)
35-27809
March 9, 2004
Enron Corp., et al. (Memorandum Opinion and Order Authorizing External and Intrasystem Financing and Related Transactions; Authorizing Service Agreements; and Reserving Jurisdiction)
35-27810
March 9, 2004
Enron Corp. (Memorandum Opinion and Order Approving Plan of Reorganization Under Section 11(f) and Issuing Report Under Section 11(g))
34-49356
March 3, 2004
Order Pursuant to Section 11A of the Securities Exchange Act of 1934 and Rule 11Aa3-2(f) Thereunder Extending a De Minimis
Federal Register version (69 FR 11057)
34-49332
Feb. 27, 2004
Order Making Fiscal 2004 Mid-Year Adjustment to the Fee Rates Applicable Under Sections 31(b) and (c) of the Securities Exchange Act of 1934
Federal Register version (69 FR 10278)
33-8390, 34-49291
Feb. 20, 2004
PCAOB Budget and Accounting Support Fee (Order Approving Public Company Accounting Oversight Board Budget and Annual Accounting Support Fee for Calendar Year 2004)
33-8390, 34-49291
Feb. 20, 2004
PCAOB Budget and Accounting Support Fee (Order Approving Public Company Accounting Oversight Board Budget and Annual Accounting Support Fee for Calendar Year 2004)
33-8389
Feb. 20, 2004
FASB Accounting Support Fee (Order for Review Under Section 109 of The Sarbanes-Oxley Act of 2002)
33-8381
Feb. 12, 2004
Wachovia Securities, LLC (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934)
33-8382
Feb. 12, 2004
Wachovia Securities, LLC (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8378
Feb. 12, 2004
UBS Financial Services Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934)
33-8379
Feb. 12, 2004
UBS Financial Services Inc. (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8375
Feb. 12, 2004
Raymond James Financial Services, Inc. (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934)
33-8376
Feb. 12, 2004
Raymond James Financial Services, Inc. (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)
33-8369
Feb. 12, 2004
Legg Mason Wood Walker, Incorporated (Order Granting Waivers Under Section 27A(b) of the Securities Act of 1933 and Section 21E(b) of the Securities Exchange Act of 1934)
33-8370
Feb. 12, 2004
Legg Mason Wood Walker, Incorporated (Order Granting Waiver Under Rule 602(e) of the Securities Act of 1933)